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Market Announcements

All of our market announcements, as released to the NZX Main Board, are listed below.

6 March 2025BRM ex-div NAV as at 5/3/25 - $0.6983
2 March 2025BRM NAV as at 28/2/25 - $0.7156
26 February 2025BRM NAV as at 26/2/25 - $0.7246
25 February 2025BRM – Notice of acquisition of securities - 25 Feb 2025
23 February 2025BRM – Notice of acquisition of securities - 21 Feb 2025
21 February 2025Barramundi delivers $8.9m interim result (BRM- Preliminary half year announcement - 31 December 2024)
21 February 2025Barramundi delivers $8.9m interim result (BRM - Interim Financial Statements for period to 31 Dec 2024 including review report)
21 February 2025Barramundi delivers $8.9m interim result (BRM - Commentary for interim period to 31 December 2024)
21 February 2025BRM – Quarterly dividend of 1.53 cents per share
20 February 2025BRM – Notice of acquisition of securities - 20 Feb 2025
19 February 2025BRM NAV as at 19/2/25 - $0.7586
19 February 2025BRM – Notice of acquisition of securities - 19 Feb 2025
18 February 2025BRM – Notice of acquisition of securities - 18 Feb 2025
16 February 2025BRM – Notice of acquisition of securities - 14 Feb 2025
16 February 2025BRM – February 2025 monthly update
13 February 2025BRM – Notice of acquisition of securities - 13 Feb 2025
13 February 2025BRM NAV as at 12/2/25 - $0.7537
12 February 2025BRM – Notice of acquisition of securities - 12 Feb 2025
10 February 2025BRM – Notice of acquisition of securities - 10 Feb 2025
9 February 2025BRM – Notice of acquisition of securities - 07 Feb 2025
4 February 2025BRM – Notice of acquisition of securities - 04 Feb 2025
3 February 2025BRM weekly NAV - Waitangi Day
3 February 2025BRM – Notice of acquisition of securities - 03 Feb 2025
3 February 2025BRM NAV as at 31/1/25 - $0.7637
29 January 2025BRM NAV as at 29/1/25 - $0.7620
27 January 2025BRM – Notice of acquisition of securities - 27 Jan 2025
27 January 2025BRM – Notice of acquisition of securities - 24 Jan 2025
23 January 2025BRM - December 2024 Quarterly Newsletter
23 January 2025BRM NAV as at 22/1/25 - $0.7581
16 January 2025BRM NAV as at 15/1/25 - $0.7377
14 January 2025BRM – Notice of acquisition of securities - 14 Jan 2025
13 January 2025BRM – Notice of acquisition of securities - 13 Jan 2025
9 January 2025BRM – Notice of acquisition of securities - 09 Jan 2025
9 January 2025BRM NAV as at 8/1/25 - $0.7552
6 January 2025BRM – Notice of acquisition of securities - 06 Jan 2025
6 January 2025BRM NAV as at 31/12/24 - $0.7393